Senior Compliance Lead, Commodities & Global Markets (SG)

Macquarie Group

Singapore

Hybrid

SGD 120,000 - 180,000

Full time

14 days+
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Benefits offered by this job

Wellbeing leave
Parental leave
Volunteer leave
Flexible working
Learning & development

Job summary

Macquarie Group is seeking a compliance professional to manage regulatory risks for its Commodities and Global Markets businesses, focusing on Equity Derivatives and Singapore Cash Equities markets. The role reports to the Senior Commodities and Global Markets Business Compliance officer in Singapore and involves advisory coverage, product reviews, and regulatory interactions.

The ideal candidate will have demonstrable regulatory experience in equity markets, strong knowledge of relevant

Qualifications

  • Demonstrable regulatory or business compliance experience in equity/equity derivatives markets.
  • Familiarity with equity and equity derivative markets and products.
  • Knowledge of regulatory regulations including OTC reforms and cross-border obligations.
  • Ability to work independently with a strong risk mindset.
  • Strong engagement skills to influence stakeholders.

Responsibilities

  • Provide compliance advisory coverage for equity and equity derivatives activities in Asia.
  • Review new products and transaction approvals; develop and maintain compliance plans and monitoring processes.
  • Monitor, report and escalate compliance issues; assess business risks and control effectiveness.
  • Support regulatory interactions, horizon scanning and deliver regional/global compliance priorities.

Skills

Regulatory compliance
Equity markets knowledge
Regulatory knowledge (Dodd-Frank etc)
Risk mindset
Stakeholder engagement

Job description

Macquarie Group is seeking a compliance professional to manage regulatory risks for its Commodities and Global Markets businesses, focusing on Equity Derivatives and Singapore Cash Equities markets. The role reports to the Senior Commodities and Global Markets Business Compliance officer in Singapore and involves advisory coverage, product reviews, and regulatory interactions.

The ideal candidate will have demonstrable regulatory experience in equity markets, strong knowledge of relevant

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